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Showing results for "christopher marrison"

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2002

EN

TABLE OF CONTENTSChapter 1: The Basics of Risk Management This chapter introduces how banks work. It describes how they make money, how they often lose money, and how they try to manage their losses. It includes thirteen short case studies showing how banks have lost money.Chapter 2: Risk Measurement at the Corporate Level: Economic Capital and RAROC Chapter Two discusses the meaning of capital and how the risks that a bank faces are related to the amount o...

Price$54.29 CAD

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Algorithmic Trading

Winning Strategies and Their Rationale


2013

EN

Praise for Algorithmic TRADING“Algorithmic Trading is an insightful book on quantitative trading written by a seasoned practitioner. What sets this book apart from many others in the space is the emphasis on real examples as opposed to just theory. Concepts are not only described, they are brought to life with actual trading strategies, which give the reader insight into how and why each strategy was developed, how it was implemented, and even how...

Price$61.99 CAD

2010

EN

The essential reference for financial risk managementFilled with in-depth insights and practical advice, the Financial Risk Manager Handbook is the core text for risk management training programs worldwide. Presented in a clear and consistent fashion, this completely updated Sixth Edition, mirrors recent updates to the new two-level Financial Risk Manager (FRM) exam, and is fully supported by GARP as the trusted way to prepare for the rigorous and renowned...

Price$187.99 CAD

2011

EN

The Definitive Guide to Fixed Income Securities—Revised and Updated for the New Era of InvestingFor decades, The Handbook of Fixed Income Securities has been the most trusted resource in the world for fixed income investing. Since the publication of the last edition, however, the financial markets have experienced major upheavals, introducing dramatic new opportunities and risks.This completely revised and expanded eighth edition contains 31 new ch...

Price$147.89 CAD

Mastering Corporate Finance Essentials

The Critical Quantitative Methods and Tools in Finance

2010

EN

An essential guide to corporate financeUnderstanding corporate finance is a necessity for financial practitioners who struggle every day to find the right balance between maximizing corporate value and reducing a firm's financial risk.Divided into two comprehensive parts, Mastering Corporate Finance Essentials presents the material by example, using an extended scenario involving a new business formation. In Part One, present and future value mathematics are introd...

Price$38.99 CAD

2010

EN

Accounting as easy as 1-2-3!Do you know the difference between FIFO and LIFO? Can you use the word dilutive in a sentence? Does the phrase "amortization of bond premiums" mean anything to you? No one said the journey to becoming a CPA is easy--but with Intermediate Accounting DeMYSTiFieD as your travel companion, you're guaranteed a smooth ride.An easy-to-use self-teaching guide that reviews and expands upon core Generally Accepted Accounting Principles (GAAP),

Price$35.09 CAD

2014

EN

WHAT EVERY OPTION TRADER NEEDS TO KNOW. THE ONE BOOK EVERY TRADER SHOULD OWN.The bestselling Option Volatility & Pricing has made Sheldon Natenberg a widely recognized authority in the option industry. At firms around the world, the text is often the first book that new professional traders aregiven to learn the trading strategies and risk management techniques required for success in option markets.Now, in this revised, updated, and expanded second edition, this...

Price$110.69 CAD

2006

EN

Since its original publication, Value at Risk has become the industry standard in risk management. Now in its Third Edition, this international bestseller addresses the fundamental changes in the field that have occurred across the globe in recent years. Philippe Jorion provides the most current information needed to understand and implement VAR-as well as manage newer dimensions of financial risk. Featured updates include:An increased emphasis on operational riskUsing VAR ...

Price$83.79 CAD

2009

EN

An up-to-date look at the evolution of interest rate swaps and derivativesInterest Rate Swaps and Derivatives bridges the gap between the theory of these instruments and their actual use in day-to-day life. This comprehensive guide covers the main "rates" products, including swaps, options (cap/floors, swaptions), CMS products, and Bermudan callables. It also covers the main valuation techniques for the exotics/structured-notes area, which remains one of the most challengi...

Price$73.99 CAD

2009

EN

The essential reference for financial risk managementFilled with in-depth insights and practical advice, theFinancial Risk Manager Handbook is the core text for riskmanagement training programs worldwide. Presented in a clear andconsistent fashion, this completely updated FifthEdition-which comes with an interactive CD-ROM containinghundreds of multiple-choice questions from previous FRM exams-isone of the best ways to prepare for the Financial Risk Manager(FRM) exam.Financ...

Price$136.99 CAD

Counterparty Credit Risk and Credit Value Adjustment

A Continuing Challenge for Global Financial Markets

2012

EN

A practical guide to counterparty risk management and credit value adjustment from a leading credit practitionerPlease note that this second edition of Counterparty Credit Risk and Credit Value Adjustment has now been superseded by an updated version entitled The XVA Challenge: Counterparty Credit Risk, Funding, Collateral and Capital.Since the collapse of Lehman Brothers and the resultant realization of extensive counterparty risk...

Price$85.99 CAD

Bank Asset and Liability Management

Strategy, Trading, Analysis

2011

EN

Banks are a vital part of the global economy, and the essence of banking is asset-liability management (ALM). This book is a comprehensive treatment of an important financial market discipline. A reference text for all those involved in banking and the debt capital markets, it describes the techniques, products and art of ALM. Subjects covered include bank capital, money market trading, risk management, regulatory capital and yield curve analysis.Highlights of the book include deta...

Price$135.99 CAD